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Don’t treat a “moving-average golden cross” as a universal signal—when the price is below MA20, a golden cross can also be a false breakout. $ENJ Current price 0.02536, down 2.65% in 24h; MA5=0.025388 remains below MA20=0.0256235, so the trend has not strengthened; however, RSI=37.4 is close to oversold, the MACD histogram has turned positive, the Bollinger lower band at 0.0251397 provides support, and the Fear and Greed Index at 69 indicates that sentiment has not collapsed.
Bias is bullish, but use a light position: entry 0.02515-0.02540 (Bollinger lower band + RSI oversold); take-profit 1
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ENJ-2.00%
TKO-0.67%
Subscribers are truly so lucky
The steady gold long at 4265 got filled again
Congrats on 30 points of profit🥩
GLDX+0.55%
PAXG+0.20%
XAU+0.34%
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bro is @paulerlanger
former dYdX executive.
teamed up with Se Yong Park and Prashan Dharmasena to build Fomo
the idea was:
see what other traders are buying
follow their positions
discover opportunities
trade directly from the app
launched in 2025.
raised $17M Series A from Benchmark
by mid-2026, Fomo had crossed 600K users and $4B+ in trading volume.
DYDX-4.99%
$UAI This -27.89% massive bearish candle put my stop-loss order straight on the pillar of shame.
Reviewing yesterday’s trade: Around 0.495U, I saw it pull back to the previous high on declining volume and thought it was a breakout-and-retest confirmation. I placed a 0.49 limit order to buy back in, but a guillotine candle came crashing through 0.45 overnight. I manually cut the position at 0.428, taking a 13-point loss. Looking at the market now, the 24-hour low is 0.3736 and the current price is 0.3787, down nearly 30% from the high of 0.5363. This is a typical high-volume breakdown, with $42
UAI-26.89%
On the eve of the rate hike decision: These four asset classes will be repriced
90% probability of a 25 bp hike · Revealed at 02:00 Beijing time Thursday · Warsh press conference at 02:30
💱 Currencies: Volatility will be most concentrated on decision night
The hike directly pushes up short-term dollar rates, usually pressuring EURUSD while USDJPY rises with Treasury yields; the moment the data is released is the most active window for forex order books
Related instruments: EURUSD|USDJPY|USDKRW
👉 https://www.gate.com/cfd/EURUSDhttps://www.gate.com/cfd/USDJPY
📉 Stocks: Growth stocks are mo
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I didn't make any judgment—I just held it a little longer and didn't expect it to actually reward me. When I checked the market after lunch, $COOKIE was stagnating at a high level, with no volume on every push higher and clearly insufficient buying support.
I only said one thing: don't chase longs; the sell wall above is substantial, and short positions can wait for confirmation. It then started moving downward, with the timing just right.
From 0.01111 to 0.01017, unrealized profit +207.47%. Those on board should be laughing in their sleep.
Put risk control first—that's rationality; cutting a
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COOKIE-2.12%
ADA-2.85%
DOGE-1.75%
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$BTC retesting support for the 10th time
Clarity Act vote today
FOMC tomorrow
Interesting week ahead
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BTC-2.63%
Everything thats allegedly happening this week has been know and priced in for longer than you can imagine.
Restless capital pilling into consensus trades just to feel like they belong somewhere.
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filling this form until $var tge who's gonna join me?
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What the fuck, even Firstbank collect Dangote IPO gig 😳
Sir CEO dangote group Aliko Dangote, even if nah 10 share airdrop for my bamboo 😹
Shi shi I nor get.
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🚨 REPUBLICANS REJECT DEMOCRATS' CLARITY ACT COUNTEROFFER!
According to Punchbowl, Republicans rejected the Democrats' counterproposal.
Just before the crucial vote, the deal between both sides got stuck again.
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The four-hour chart remains in a perfect bearish alignment: EMA7 (1566), EMA25 (1597), EMA99 (1628), and EMA200 (1588), with three lines exerting pressure, while the price struggles only around EMA7—the medium-term trend has not reversed. However, shorter timeframes are recovering: the one-hour EMA7/25 (1567/1564) have been reclaimed, and the 15-minute EMAs are in a fully bullish alignment (1570/1566/1559/1552). Open interest surged 21% over the past week to 12.61 million contracts—funds aggressively entered to buy the dip during the plunge, while longs and shorts changed hands intensely betwe
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Being wrong and accepting it is one of the best skill you can develop as a trader.
If you engage at the key highs/lows looking for continuation but price quickly shows acceptance, taking a trade in opposite direction is often a good reversal trade
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#Trading Bot#我正在 Gate uses the AKEUSDT futures grid bot. Join the copy trading
700x target completed!!#Gate增速全球第一 #美联储即将公布利率决定 #GateUS全美合规牌照增至37张 $AKE
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AKE+66.64%
#GateTopsGlobalGrowth
GATE TOPS GLOBAL GROWTH
Gate’s latest growth data is sending a clear signal: the exchange is not only expanding in scale, but also accelerating across multiple parts of the trading ecosystem. The latest CryptoQuant analysis highlights a particularly strong improvement in Gate’s spot-market activity, making growth rate one of the most important metrics to watch alongside absolute trading volume.
The standout figure is Gate’s 30-day spot trading volume growth of +667%, ranking No. 1 globally. This is a remarkable growth rate because it shows how quickly trading activity ha
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$BERA Short-term bullish bias: the current price of 0.1842 has moved above the Bollinger middle band, the MACD histogram has turned positive at +7.3e-05, and the funding rate of +0.0050% indicates a mild long-side advantage.
MA5=0.18282 remains below MA20=0.184455, so the moving averages have not yet formed a golden cross. RSI=47.7 is neutral to weak, and the Bollinger range is 0.1810-0.1879. A light long position can be considered on a pullback to 0.1810 (Bollinger lower band + MA5 support), with take-profit 1 at the 0.1879 Bollinger upper band, take-profit 2 at the round-number level of 0.19
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GUN-1.38%
Why I Insist on Writing a Trade Review Every Day
Someone asked me, isn’t it tiring to spend time writing a trade review every day? It is. But I think it’s worth it.
I use a fixed template for my trade reviews, but I adjust the focus each time based on the day’s specific circumstances. For profitable trades, I focus on “what I got right”; for losing trades, I focus on “where I went wrong.” Whether I make or lose money, I always end by writing a section on “what to pay attention to tomorrow.”
I’ve kept up this habit for more than a year, and the results have been obvious.
The first change is tha
USDJPY+0.39%
$FLUX Most unusual: up 1.99% over 24h, yet the MACD histogram remains bearish at -0.0001314, with MA5 still below MA20 and volume at only 0.4M. The current price of 0.0565 is near the Bollinger lower band at 0.05608, RSI is neutral-to-weak at 47.5, the +0.0050% funding rate shows longs are slightly crowded, and the greed index is 69. The structure has not turned bullish; for the rebound, first watch whether the pullback holds.

Direction: Bearish. Entry: 0.0568-0.0570 (MA5 resistance + bearish MACD), take-profit 1: 0.0561 (Bollinger lower band), take-profit 2: 0.0555 (breakdown extension), st
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MARSCOIN+0.85%
what happens to $USELESS this cycle
> consolidation at $200M+ range before leg up
> leg up to $500M - $700M range
> at this range, sideways movement does not last long
> teleport to $1B+
> spot, krw pair listing
> blow off top to $2B - $5B+
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USELESS+2.81%
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